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Treasury Manager – Trade Finance & Commodity Risk

Tasa Gulf Industry LLC
Dubai, UAE
contract
Senior
1 months ago
Treasury ManagementAuditFinancial AnalysisCommodity Risk ManagerCommodity Risk ManagementSenior Treasury Specialist
Free

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Treasury ManagementAuditFinancial Analysis
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Dubai

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Job Summary

The Treasury Manager is responsible for managing trade finance operations, treasury activities, and financial risk related to international commodity trading, with a strong focus on

Letters Of Credit (Lcs)

,

LC discounting

,

back-to-back LC structures

, and

foreign exchange and commodity hedging

.

The role requires in-depth knowledge of

international trade

, particularly

copper trading

, and active management of liquidity, banking relationships, and market risks.

Trade Finance & Lc Operations

  • Manage end-to-end
  • LC documentation, issuance, amendment, negotiation, and settlement
  • .
  • Handle
  • back-to-back LCs
  • , ensuring compliance with contract terms, UCP 600, and bank requirements.
  • Oversee
  • LC discounting
  • , including coordination with banks to optimize funding costs and cash flow.
  • Review shipping and trade documents to ensure accuracy and timely presentation.
  • Liaise with internal teams, banks, suppliers, and customers to resolve discrepancies efficiently.

Treasury & Cash Management

  • Monitor daily cash positions, liquidity requirements, and short-term funding needs.
  • Optimize working capital through effective use of trade finance instruments.
  • Maintain strong relationships with banks and financial institutions.

Forex Risk Management

  • Identify and manage
  • foreign exchange exposure
  • arising from international trade transactions.
  • Execute and monitor
  • FX hedging instruments
  • (forwards, swaps, options) in line with treasury policy.
  • Analyze currency trends and provide risk mitigation recommendations.

Commodity Risk Management

  • Manage
  • commodity price exposure
  • , with a strong emphasis on
  • copper
  • .
  • Execute and monitor
  • commodity hedging strategies
  • using futures, swaps, or other derivatives.
  • Track market movements, premiums, and spreads relevant to physical copper trading.

Compliance & Reporting

  • Ensure compliance with internal treasury policies, banking regulations, and international trade rules.
  • Prepare treasury reports covering cash flow, FX exposure, hedging performance, and LC utilization.
  • Support audits and ensure proper documentation and controls.

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